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Nordea Asset Management in Copenhagen seeks a Senior Analyst to strengthen its Regulatory Reporting Team, focusing on fund risk and position reporting obligations. You will contribute to automation, data quality and process improvements in an international setting.
You will work across UCITS and AIFMD Annex IV reporting, with collaboration across Risk, Portfolio Management, Fund Administration and Legal to ensure accurate, timely submissions.
Would you like to help secure Nordea Asset Management's compliance across a wide range of fund risk and position reporting obligations? We are now looking for a Senior Analyst to strengthen our Regulatory Reporting Team.
Nordea Asset Management (NAM) is the investment arm of the Nordea Group and one of the largest asset managers in the Nordics. With a strong European presence and a commitment to responsible investment, NAM offers an international environment with high ambitions and meaningful regulatory responsibilities.
Our Regulatory Reporting Team ensures timely, complete and accurate reporting across NAM's fund structures, risk exposures and position-related obligations. We work across the full reporting lifecycle - from data sourcing and validation through to submissions, controls, exception handling and reconciliation.
We cover key regulatory reporting regimes including UCITS reporting to the CSSF and Annex IV reporting under AIFMD, supported by internal governance frameworks, processes and controls.
A significant part of the team's development agenda in the coming years will be shaped by the revised reporting requirements under AIFMD II, which introduces substantial changes to Annex IV reporting. This will be a central workstream for the team, involving regulatory interpretation, system and process changes, and close collaboration across functions.
As the Senior Analyst, you will be a central contributor to both daily operations and this evolving reporting landscape, including automation, data quality and process improvement initiatives.
Collaboration. Ownership. Passion. Courage. These are the values that guide us in how we work and how we make decisions – and that we imagine you share with us.
You take ownership, work with structure and precision, and enjoy solving complex data and regulatory challenges. You are comfortable moving between operational tasks and longer-term improvement projects, and you collaborate naturally in an international environment.
A central role in a high-impact area with broad exposure to financial markets, data and regulation.
Strong professional development opportunities - regulatory, analytical and technical - including direct involvement in one of the most significant regulatory reporting changes currently facing the European asset management industry.
A collaborative, international team based in Christianshavn, Copenhagen, working closely with colleagues across the Nordic region and Europe.
Submit your application no later than 31/10/2026.